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Category
Target Date / Multi-Asset - Other
Sponsor
Brinsmere
Fund Family
Index
-
Index Weighting
Active/Passive
Expense
0.44%
Inverse/Leveraged
IPO
Jan 16, 2024
Asset Type
Multi-Asset - Conservative
ETF Type
Bond Type
Average Maturity
Commodity Type
Quant Type
ESG Type
Dividend Type
Structure Type
Growth/Value
Market Cap
Option/Short
No / No
Tags
Tags
Tags
Tags
Tags
Tags
-
Tags
-
Sector/Theme
Region
SMA20
0.52%
SMA50
0.49%
SMA200
2.31%
Return% 1Y
11.25%
Return% 3Y
-
Return% 5Y
-
Return% 10Y
Return% SI
Flows% 1M
0.08%
Flows% 3M
-0.04%
Flows% YTD
-0.48%
Flows% 1Y
Flows% 3Y
Flows% 5Y
Trades
Total Holdings
25
AUM
363.73M
NAV/sh
52W High
29.79 -1.03%
52W Low
27.28 8.07%
Volatility
0.08% 0.10%
ATR (14)
0.10
RSI (14)
53.91
Beta
0.44
Rel Volume
0.13
Avg Volume
1.60K
Volume
215
Perf Week
0.01%
Perf Month
1.49%
Perf Quarter
1.00%
Perf Half Y
1.60%
Perf YTD
2.77%
Perf Year
7.50%
Perf 3Y
-
Perf 5Y
-
Perf 10Y
-
Prev Close
29.63
Price
29.48
Change %
-0.50%